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ALT - ATR Percent Rank

🔵 Description
The "ALT - ATR Percent Rank" indicator is a financial analysis tool designed to assess the volatility of an asset relative to its historical behavior, using the Average True Range (ATR) metric.


🔵 Purpose
The indicator aims to provide traders with insights into how the current volatility of an asset compares to its past levels. By evaluating the Percent Rank of the ATR, traders can determine if the current ATR value is high or low in the context of a specified historical period.


🔵 Functionality
Asset and Timeframe Flexibility
Selectable Asset: Users can choose to apply the indicator to a different asset than the one currently displayed on the chart. This is particularly useful for comparing the volatility of multiple assets without switching charts.

Customizable Timeframe: The indicator can be set to analyze the ATR on different timeframes, regardless of the chart's current timeframe. This allows for multi-timeframe analysis without changing the view of the current chart.


ATR Calculation
The Average True Range (ATR) is calculated over a user-defined number of bars (ATR Length). ATR is a commonly used measure of volatility that captures the degree of price movement per bar.
REF: Average True Range (ATR) Calculation


Percent Rank Analysis
The indicator computes the Percent Rank of the current ATR value based on a specified lookback period (Percent Rank Lookback). This tells users how the current ATR compares to ATR values over the recent past, expressed as a percentile. For example, a Percent Rank of 90% indicates that the current ATR is higher than 90% of its values over the chosen lookback period, suggesting higher volatility.


Visualization
The result is plotted as a line on a separate panel below the main trading chart, making it easy to view changes in volatility relative to historical levels.


🔵 Use Cases
Trend Confirmation
Traders might use the indicator to confirm if a price movement is backed by significant volatility changes, which could validate the strength of a trend.


Risk Management
Understanding when an asset is experiencing unusually high or low volatility could help in adjusting trading strategies, such as altering position sizes or setting stop-loss orders.


Comparative Analysis
By enabling the analysis of different assets or timeframes, traders can perform comparative volatility studies, which can be essential in portfolio management or when seeking diversification opportunities.
This indicator is a valuable tool for traders who rely on volatility analysis to make informed trading decisions, providing a clear, quantifiable measure of how current market conditions compare to historical data.

Volatility

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